checking data freshness…

Axis Hybrid Fund Series - 33 (1358 Days) - Direct Divided

Axis Mutual Fund
₹12.4194
+0.01%

⚠ This scheme hasn't reported a new NAV since 2020-05-28 — it may be dormant, matured, merged, or delisted.

Axis Hybrid Fund Series - 33 (1358 Days) - Direct Divided is an AMFI-listed mutual fund scheme from Axis Mutual Fund, categorized as (Debt) Close Ended (ISIN INF846K01YC2). As of 2020-05-28, its NAV is ₹12.4194 (+0.01% from the previous day). This scheme has not reported a new NAV in over 30 days and may be dormant, matured, merged, or delisted — treat the figures above as historical, not a live quote. Full daily NAV history since 2016-09-15 is available below, along with a free JSON API.

Source: AMFI

Fund details
Scheme Code
139778
Category
(Debt) Close Ended
Plan
Direct
Option
Other
ISIN
INF846K01YC2
ISIN (Reinvest)
Launch Date
NFO Closed
Fund Structure
NAV Chart

Loading NAV chart…

Last 50 days
Scheme Date NAV Chg
Axis Hybrid Fund Series - 33 (1358 Days) - Direct Divided 2020-05-28 ₹12.4194 +0.01%
Axis Hybrid Fund Series - 33 (1358 Days) - Direct Divided 2020-05-27 ₹12.4185 +0.01%
Axis Hybrid Fund Series - 33 (1358 Days) - Direct Divided 2020-05-26 ₹12.4176 +0.02%
Axis Hybrid Fund Series - 33 (1358 Days) - Direct Divided 2020-05-22 ₹12.4152 +0.00%
Axis Hybrid Fund Series - 33 (1358 Days) - Direct Divided 2020-05-21 ₹12.4149 +0.01%
Axis Hybrid Fund Series - 33 (1358 Days) - Direct Divided 2020-05-20 ₹12.4140 +0.01%
Axis Hybrid Fund Series - 33 (1358 Days) - Direct Divided 2020-05-19 ₹12.4130 +0.01%
Axis Hybrid Fund Series - 33 (1358 Days) - Direct Divided 2020-05-18 ₹12.4120 +0.02%
Axis Hybrid Fund Series - 33 (1358 Days) - Direct Divided 2020-05-15 ₹12.4090 +0.01%
Axis Hybrid Fund Series - 33 (1358 Days) - Direct Divided 2020-05-14 ₹12.4080 +0.01%
Axis Hybrid Fund Series - 33 (1358 Days) - Direct Divided 2020-05-13 ₹12.4070 +0.01%
Axis Hybrid Fund Series - 33 (1358 Days) - Direct Divided 2020-05-12 ₹12.4060 +0.01%
Axis Hybrid Fund Series - 33 (1358 Days) - Direct Divided 2020-05-11 ₹12.4048 +0.03%
Axis Hybrid Fund Series - 33 (1358 Days) - Direct Divided 2020-05-08 ₹12.4016 +0.02%
Axis Hybrid Fund Series - 33 (1358 Days) - Direct Divided 2020-05-06 ₹12.3995 +0.01%
Axis Hybrid Fund Series - 33 (1358 Days) - Direct Divided 2020-05-05 ₹12.3984 +0.01%
Axis Hybrid Fund Series - 33 (1358 Days) - Direct Divided 2020-05-04 ₹12.3973 +0.04%
Axis Hybrid Fund Series - 33 (1358 Days) - Direct Divided 2020-04-30 ₹12.3924 +0.01%
Axis Hybrid Fund Series - 33 (1358 Days) - Direct Divided 2020-04-29 ₹12.3914 +0.01%
Axis Hybrid Fund Series - 33 (1358 Days) - Direct Divided 2020-04-28 ₹12.3902 +0.01%
Axis Hybrid Fund Series - 33 (1358 Days) - Direct Divided 2020-04-27 ₹12.3892 +0.03%
Axis Hybrid Fund Series - 33 (1358 Days) - Direct Divided 2020-04-24
Axis Hybrid Fund Series - 33 (1358 Days) - Direct Divided 2020-04-23 ₹12.3849 +0.01%
Axis Hybrid Fund Series - 33 (1358 Days) - Direct Divided 2020-04-22 ₹12.3835 +0.01%
Axis Hybrid Fund Series - 33 (1358 Days) - Direct Divided 2020-04-21 ₹12.3820 +0.01%
Axis Hybrid Fund Series - 33 (1358 Days) - Direct Divided 2020-04-20 ₹12.3804 +0.03%
Axis Hybrid Fund Series - 33 (1358 Days) - Direct Divided 2020-04-17 ₹12.3772 +0.01%
Axis Hybrid Fund Series - 33 (1358 Days) - Direct Divided 2020-04-16 ₹12.3754 +0.01%
Axis Hybrid Fund Series - 33 (1358 Days) - Direct Divided 2020-04-15 ₹12.3738 +0.02%
Axis Hybrid Fund Series - 33 (1358 Days) - Direct Divided 2020-04-13 ₹12.3712 +0.04%
Axis Hybrid Fund Series - 33 (1358 Days) - Direct Divided 2020-04-09 ₹12.3658 +0.01%
Axis Hybrid Fund Series - 33 (1358 Days) - Direct Divided 2020-04-08 ₹12.3647 +0.01%
Axis Hybrid Fund Series - 33 (1358 Days) - Direct Divided 2020-04-07 ₹12.3635 +0.03%
Axis Hybrid Fund Series - 33 (1358 Days) - Direct Divided 2020-04-03 ₹12.3595 +0.04%
Axis Hybrid Fund Series - 33 (1358 Days) - Direct Divided 2020-03-31 ₹12.3550 +0.02%
Axis Hybrid Fund Series - 33 (1358 Days) - Direct Divided 2020-03-30 ₹12.3523 +0.03%
Axis Hybrid Fund Series - 33 (1358 Days) - Direct Divided 2020-03-27 ₹12.3480 +0.19%
Axis Hybrid Fund Series - 33 (1358 Days) - Direct Divided 2020-03-26 ₹12.3246 +0.05%
Axis Hybrid Fund Series - 33 (1358 Days) - Direct Divided 2020-03-24 ₹12.3185 -0.03%
Axis Hybrid Fund Series - 33 (1358 Days) - Direct Divided 2020-03-23 ₹12.3216 -0.02%
Axis Hybrid Fund Series - 33 (1358 Days) - Direct Divided 2020-03-20 ₹12.3237 +0.01%
Axis Hybrid Fund Series - 33 (1358 Days) - Direct Divided 2020-03-19 ₹12.3226 -0.07%
Axis Hybrid Fund Series - 33 (1358 Days) - Direct Divided 2020-03-18 ₹12.3307 -0.00%
Axis Hybrid Fund Series - 33 (1358 Days) - Direct Divided 2020-03-17 ₹12.3309 +0.01%
Axis Hybrid Fund Series - 33 (1358 Days) - Direct Divided 2020-03-16 ₹12.3298 +0.04%
Axis Hybrid Fund Series - 33 (1358 Days) - Direct Divided 2020-03-13 ₹12.3254 0.00%
Axis Hybrid Fund Series - 33 (1358 Days) - Direct Divided 2020-03-12 ₹12.3254 +0.00%
Axis Hybrid Fund Series - 33 (1358 Days) - Direct Divided 2020-03-11 ₹12.3248 +0.03%
Axis Hybrid Fund Series - 33 (1358 Days) - Direct Divided 2020-03-09 ₹12.3217 +0.04%
Axis Hybrid Fund Series - 33 (1358 Days) - Direct Divided 2020-03-06 ₹12.3163 +0.01%